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Top Ten SEC Governance and Disclosure Developments to Watch in 2015

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DESCRIPTION

This webinar is designed to explore the top ten SEC governance and disclosure developments to watch in 2015, including issues such as shareholder proposal developments, JOBS Act and Dodd Frank rulemakings, cybersecurity and much more.  This session will be led by two former SEC staffers, Lillian Brown of WilmerHale and Keir Gumbs of Covington & Burling.

Join Bloomberg BNA and our expert panel of speakers for a live webinar that will discuss the outlook for 2015 and analyze the key SEC policy issues.

Educational Objectives:
• Explore the top Shareholder Proposal Letters and Comment Letter Trends
• Analyze the JOBS Act, Dodd-Frank and pay patio rulemakings
• Review Status of Political Spending Petition
• Examine Interim Vote Reports, Cyber-security and Universal Proxy
• Discuss disclosure Reform

Who would benefit most from attending this program?
Lawyers, public and private companies, non-profit organizations, institutional investors in corporate, corporate governance, securities regulation, and transactional matters.

SPEAKERS

KEIR D. GUMBS, PARTNER, COVINGTON & BURLING

Kier Gumbs is a partner at Covington & Burling.  He advises public and private companies, non-profit organizations, institutional investors and other clients in corporate, corporate governance, securities regulation, and transactional matters. His career includes six years of service with the SEC, where he last served as counsel to an SEC Commissioner. At the SEC he advised companies and investors with respect to a variety of matters arising under federal securities law with an emphasis on corporate finance issues under the Securities Act of 1933, reporting obligations under the Securities Exchange Act of 1934, shareholder proposals, corporate governance developments and SEC enforcement actions. Keir is a member of the District of Columbia and California bars. 


LILLIAN BROWN, PARTNER, WILMERHALE

Lillian Brown is a partner at WilmerHale. She focuses her practice on federal securities law compliance and corporate governance matters. Lily has special expertise in securities laws relevant to merger and acquisition activities, corporate governance and shareholder proposal and proxy matters, and has been influential in rulemaking and interpretations in those areas. She also worked closely on legislative and other intergovernmental matters, playing a key role in rulemaking and other implementation efforts related to the Dodd-Frank Act and the JOBS Act. Lily joined WilmerHale in 2013, after having worked at the Securities and Exchange Commission in the Division of Corporation Finance since 1999. She is a member of the District of Columbia and California bars.